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Vanguard economists believe the global economy is most likely already in recession and expect negative growth for 2020. The depth of the downturn will depend on how long the most restrictive COVID-19 containment measures remain in place.
Vanguard's Senior Investment Consultant, Hilly Cutler, discusses the importance of rebalancing portfolios during and after periods of market volatility.
Paul Jakubowski, Vanguard's head of global fixed income indexing, and Sara Devereux, Vanguard's global head of rates, discuss the recent bond market liquidity crunch, what the future may hold, and potential implications for investors.
COVID-19 is already having a tragic impact on Canadians and people across the world, and governments are rightfully prioritizing extreme measures to protect public health. The economic impact will be intrinsically linked with measures to overcome the health impact.
Vanguard’s Portfolio Review Department incorporates rigorous oversight measures to ensure business continuity with external investment managers.
Vanguard's CEO and head of Portfolio Review discuss what it takes for long-term active outperformance.
Get insights from Vanguard's CEO and Global Head of Rates about the current state of the bond markets.
Our Global Chief Economist assesses the level of fiscal stimulus needed to spur economic recovery.
Swift action by policymakers is a positive step in stabilizing global markets, says Vanguard's Global Chief Economist.
Our Global Chief Economist shares his expectations for the potential depth and length of a U.S. recession.
Current market volatility can be jarring, but the good news is long-term return expectations are improving.
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